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Mean-Variance Analysis in Portfolio Choice and Capital Markets 1st Edition

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Mean-Variance Analysis in Portfolio Choice and Capital Markets 1st Edition,1883249759,9781883249755

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Book Information

Publisher:John Wiley & Sons
Published In:28-Feb-2000
ISBN-10:1883249759
ISBN-13:9781883249755
Binding Type:Hardback
Weight:886 gms
Pages:pp. 400

is written by Harry M. Markowitz. The publisher of this title is John Wiley & Sons.

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